HoldingsChannel.com
BRYN MAWR TRUST Co Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
APPLE INC 269,818 -4,091 $60,431
     AAPL269,818-4,091$60,431
MICROSOFT CORP 406,244 -3,390 $56,480
     MSFT406,244-3,390$56,480
JPMORGAN 319,068 -1,460 $37,551
     JPM319,068-1,460$37,551
JOHNSON & JOHNSON 270,227 -13,874 $34,963
     JNJ270,227-13,874$34,963
PEPSICO INC 250,340 -1,482 $34,322
     PEP250,340-1,482$34,322
ABBOTT LABS 394,539 -3,633 $33,011
     ABT394,539-3,633$33,011
BECTON DICKINSON 128,695 -115 $32,555
     BDX128,695-115$32,555
SPDR (SPY) 104,436 -1,641 $30,993
     SPY104,436-1,641$30,993
THERMO FISHER SCIENTIFIC INC 101,884 -153 $29,675
     TMO101,884-153$29,675
MASTERCARD INC A 108,308 -2,588 $29,414
     MA108,308-2,588$29,414
VERIZON COMMUNICATIONS INC 464,989 +184 $28,067
     VZ464,989+184$28,067
CISCO SYSTEMS INC 560,489 -1,423 $27,694
     CSCO560,489-1,423$27,694
HONEYWELL INTL INC 160,764 +499 $27,201
     HON160,764+499$27,201
EXXON MOBIL CORP 379,611 +26,857 $26,805
     XOM379,611+26,857$26,805
ISHARES (IJH) 130,662 -4,909 $25,248
     IJH130,662-4,909$25,248
HERSHEY CO 161,349 -1,022 $25,008
     HSY161,349-1,022$25,008
ALPHABET INC 20,357 -169 $24,816
     GOOG20,357-169$24,816
VANGUARD (VEA) 564,684 +4,364 $23,197
     VEA564,684+4,364$23,197
ISHARES (SCZ) 370,112 -8,141 $21,181
     SCZ370,112-8,141$21,181
BB&T CORP 394,725 +792 $21,067
     BBT394,725+792$21,067
SYSCO CORP 264,537 +3,274 $21,004
     SYY264,537+3,274$21,004
UNITED PARCEL SVC INC 167,836 +510 $20,109
     UPS167,836+510$20,109
ISHARES (IWM) 131,362 -4,675 $19,881
     IWM131,362-4,675$19,881
TJX COS INC 348,947 -1,802 $19,450
     TJX348,947-1,802$19,450
NIKE INC 202,903 -6,821 $19,056
     NKE202,903-6,821$19,056
VISA INC 108,768 -26,986 $18,709
     V108,768-26,986$18,709
PROCTER & GAMBLE CO THE 148,574 -3,424 $18,480
     PG148,574-3,424$18,480
AMGEN INC 92,776 -227 $17,953
     AMGN92,776-227$17,953
STRYKER CORP 81,612 -974 $17,652
     SYK81,612-974$17,652
UNITED TECHNOLOGIES CORP 128,548 -2,639 $17,549
     UTX128,548-2,639$17,549
ANALOG DEVICES 150,064 +44,904 $16,767
     ADI150,064+44,904$16,767
CORNING INC 581,875 +11,378 $16,595
     GLW581,875+11,378$16,595
PRUDENTIAL FINL INC 180,669 +1,757 $16,251
     PRU180,669+1,757$16,251
3M CO 97,521 -385 $16,032
     MMM97,521-385$16,032
VANGUARD (VWO) 396,881 +637 $15,979
     VWO396,881+637$15,979
MERCK & CO INC NEW 188,462 -2,779 $15,864
     MRK188,462-2,779$15,864
INVESCO 83,004 -780 $15,672
     QQQ83,004-780$15,672
CME GROUP INC 70,859 -1,071 $14,976
     CME70,859-1,071$14,976
CHEVRON CORP NEW 125,432 +34,607 $14,876
     CVX125,432+34,607$14,876
WELLS FARGO & CO NEW      $14,435
     WFC279,603-450$14,103
     WFC.PRT13,150UNCH$332
TELEFLEX INC 41,427 -925 $14,075
     TFX41,427-925$14,075
ISHARES (IVV) 45,994 -268 $13,730
     IVV45,994-268$13,730
JOHNSON CONTROLS INTL PLC 299,620 +1,021 $13,150
     JCI299,620+1,021$13,150
DARDEN RESTAURANTS INC COM 110,361 -3,606 $13,047
     DRI110,361-3,606$13,047
AFLAC INC 247,731 -4,333 $12,962
     AFL247,731-4,333$12,962
MASIMO CORP 86,275 -1,695 $12,837
     MASI86,275-1,695$12,837
ISHARES (IJR) 162,848 -2,339 $12,677
     IJR162,848-2,339$12,677
APTIV PLC 144,686 +745 $12,648
     APTV144,686+745$12,648
MCDONALDS CORP 57,272 +137 $12,297
     MCD57,272+137$12,297
HOME DEPOT INC 50,819 -1,522 $11,791
     HD50,819-1,522$11,791

See Full List: All Stocks Held By BRYN MAWR TRUST Co
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By BRYN MAWR TRUST Co

Size ($ in 1000's)
At 09/30/2019: $1,832,475
At 06/30/2019: $1,848,055

BRYN MAWR TRUST Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRYN MAWR TRUST Co 13F filings. Link to 13F filings: SEC filings

BRYN MAWR TRUST Co Top Holdings 13F Filings | www.HoldingsChannel.com

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